blob: d9561ad468ec9a87309ca9659665d09aa5d1809b [file] [log] [blame]
# Copyright (c) 2015, Frappe Technologies Pvt. Ltd. and Contributors
# License: GNU General Public License v3. See license.txt
from json import loads
from typing import TYPE_CHECKING, List, Optional, Tuple
import frappe
import frappe.defaults
from frappe import _, qb, throw
from frappe.model.meta import get_field_precision
from frappe.query_builder import AliasedQuery, Criterion, Table
from frappe.query_builder.functions import Sum
from frappe.query_builder.utils import DocType
from frappe.utils import (
cint,
create_batch,
cstr,
flt,
formatdate,
get_number_format_info,
getdate,
now,
nowdate,
)
from pypika import Order
from pypika.terms import ExistsCriterion
import erpnext
# imported to enable erpnext.accounts.utils.get_account_currency
from erpnext.accounts.doctype.account.account import get_account_currency # noqa
from erpnext.accounts.doctype.accounting_dimension.accounting_dimension import get_dimensions
from erpnext.stock import get_warehouse_account_map
from erpnext.stock.utils import get_stock_value_on
if TYPE_CHECKING:
from erpnext.stock.doctype.repost_item_valuation.repost_item_valuation import RepostItemValuation
class FiscalYearError(frappe.ValidationError):
pass
class PaymentEntryUnlinkError(frappe.ValidationError):
pass
GL_REPOSTING_CHUNK = 100
@frappe.whitelist()
def get_fiscal_year(
date=None, fiscal_year=None, label="Date", verbose=1, company=None, as_dict=False, boolean=False
):
fiscal_years = get_fiscal_years(
date, fiscal_year, label, verbose, company, as_dict=as_dict, boolean=boolean
)
if boolean:
return fiscal_years
else:
return fiscal_years[0]
def get_fiscal_years(
transaction_date=None,
fiscal_year=None,
label="Date",
verbose=1,
company=None,
as_dict=False,
boolean=False,
):
fiscal_years = frappe.cache().hget("fiscal_years", company) or []
if not fiscal_years:
# if year start date is 2012-04-01, year end date should be 2013-03-31 (hence subdate)
FY = DocType("Fiscal Year")
query = (
frappe.qb.from_(FY)
.select(FY.name, FY.year_start_date, FY.year_end_date)
.where(FY.disabled == 0)
)
if fiscal_year:
query = query.where(FY.name == fiscal_year)
if company:
FYC = DocType("Fiscal Year Company")
query = query.where(
ExistsCriterion(frappe.qb.from_(FYC).select(FYC.name).where(FYC.parent == FY.name)).negate()
| ExistsCriterion(
frappe.qb.from_(FYC)
.select(FYC.company)
.where(FYC.parent == FY.name)
.where(FYC.company == company)
)
)
query = query.orderby(FY.year_start_date, order=Order.desc)
fiscal_years = query.run(as_dict=True)
frappe.cache().hset("fiscal_years", company, fiscal_years)
if not transaction_date and not fiscal_year:
return fiscal_years
if transaction_date:
transaction_date = getdate(transaction_date)
for fy in fiscal_years:
matched = False
if fiscal_year and fy.name == fiscal_year:
matched = True
if (
transaction_date
and getdate(fy.year_start_date) <= transaction_date
and getdate(fy.year_end_date) >= transaction_date
):
matched = True
if matched:
if as_dict:
return (fy,)
else:
return ((fy.name, fy.year_start_date, fy.year_end_date),)
error_msg = _("""{0} {1} is not in any active Fiscal Year""").format(
label, formatdate(transaction_date)
)
if company:
error_msg = _("""{0} for {1}""").format(error_msg, frappe.bold(company))
if boolean:
return False
if verbose == 1:
frappe.msgprint(error_msg)
raise FiscalYearError(error_msg)
@frappe.whitelist()
def get_fiscal_year_filter_field(company=None):
field = {"fieldtype": "Select", "options": [], "operator": "Between", "query_value": True}
fiscal_years = get_fiscal_years(company=company)
for fiscal_year in fiscal_years:
field["options"].append(
{
"label": fiscal_year.name,
"value": fiscal_year.name,
"query_value": [
fiscal_year.year_start_date.strftime("%Y-%m-%d"),
fiscal_year.year_end_date.strftime("%Y-%m-%d"),
],
}
)
return field
def validate_fiscal_year(date, fiscal_year, company, label="Date", doc=None):
years = [f[0] for f in get_fiscal_years(date, label=_(label), company=company)]
if fiscal_year not in years:
if doc:
doc.fiscal_year = years[0]
else:
throw(_("{0} '{1}' not in Fiscal Year {2}").format(label, formatdate(date), fiscal_year))
@frappe.whitelist()
def get_balance_on(
account=None,
date=None,
party_type=None,
party=None,
company=None,
in_account_currency=True,
cost_center=None,
ignore_account_permission=False,
):
if not account and frappe.form_dict.get("account"):
account = frappe.form_dict.get("account")
if not date and frappe.form_dict.get("date"):
date = frappe.form_dict.get("date")
if not party_type and frappe.form_dict.get("party_type"):
party_type = frappe.form_dict.get("party_type")
if not party and frappe.form_dict.get("party"):
party = frappe.form_dict.get("party")
if not cost_center and frappe.form_dict.get("cost_center"):
cost_center = frappe.form_dict.get("cost_center")
cond = ["is_cancelled=0"]
if date:
cond.append("posting_date <= %s" % frappe.db.escape(cstr(date)))
else:
# get balance of all entries that exist
date = nowdate()
if account:
acc = frappe.get_doc("Account", account)
try:
year_start_date = get_fiscal_year(date, company=company, verbose=0)[1]
except FiscalYearError:
if getdate(date) > getdate(nowdate()):
# if fiscal year not found and the date is greater than today
# get fiscal year for today's date and its corresponding year start date
year_start_date = get_fiscal_year(nowdate(), verbose=1)[1]
else:
# this indicates that it is a date older than any existing fiscal year.
# hence, assuming balance as 0.0
return 0.0
if account:
report_type = acc.report_type
else:
report_type = ""
if cost_center and report_type == "Profit and Loss":
cc = frappe.get_doc("Cost Center", cost_center)
if cc.is_group:
cond.append(
""" exists (
select 1 from `tabCost Center` cc where cc.name = gle.cost_center
and cc.lft >= %s and cc.rgt <= %s
)"""
% (cc.lft, cc.rgt)
)
else:
cond.append("""gle.cost_center = %s """ % (frappe.db.escape(cost_center, percent=False),))
if account:
if not (frappe.flags.ignore_account_permission or ignore_account_permission):
acc.check_permission("read")
if report_type == "Profit and Loss":
# for pl accounts, get balance within a fiscal year
cond.append(
"posting_date >= '%s' and voucher_type != 'Period Closing Voucher'" % year_start_date
)
# different filter for group and ledger - improved performance
if acc.is_group:
cond.append(
"""exists (
select name from `tabAccount` ac where ac.name = gle.account
and ac.lft >= %s and ac.rgt <= %s
)"""
% (acc.lft, acc.rgt)
)
# If group and currency same as company,
# always return balance based on debit and credit in company currency
if acc.account_currency == frappe.get_cached_value("Company", acc.company, "default_currency"):
in_account_currency = False
else:
cond.append("""gle.account = %s """ % (frappe.db.escape(account, percent=False),))
if party_type and party:
cond.append(
"""gle.party_type = %s and gle.party = %s """
% (frappe.db.escape(party_type), frappe.db.escape(party, percent=False))
)
if company:
cond.append("""gle.company = %s """ % (frappe.db.escape(company, percent=False)))
if account or (party_type and party):
if in_account_currency:
select_field = "sum(debit_in_account_currency) - sum(credit_in_account_currency)"
else:
select_field = "sum(debit) - sum(credit)"
bal = frappe.db.sql(
"""
SELECT {0}
FROM `tabGL Entry` gle
WHERE {1}""".format(
select_field, " and ".join(cond)
)
)[0][0]
# if bal is None, return 0
return flt(bal)
def get_count_on(account, fieldname, date):
cond = ["is_cancelled=0"]
if date:
cond.append("posting_date <= %s" % frappe.db.escape(cstr(date)))
else:
# get balance of all entries that exist
date = nowdate()
try:
year_start_date = get_fiscal_year(date, verbose=0)[1]
except FiscalYearError:
if getdate(date) > getdate(nowdate()):
# if fiscal year not found and the date is greater than today
# get fiscal year for today's date and its corresponding year start date
year_start_date = get_fiscal_year(nowdate(), verbose=1)[1]
else:
# this indicates that it is a date older than any existing fiscal year.
# hence, assuming balance as 0.0
return 0.0
if account:
acc = frappe.get_doc("Account", account)
if not frappe.flags.ignore_account_permission:
acc.check_permission("read")
# for pl accounts, get balance within a fiscal year
if acc.report_type == "Profit and Loss":
cond.append(
"posting_date >= '%s' and voucher_type != 'Period Closing Voucher'" % year_start_date
)
# different filter for group and ledger - improved performance
if acc.is_group:
cond.append(
"""exists (
select name from `tabAccount` ac where ac.name = gle.account
and ac.lft >= %s and ac.rgt <= %s
)"""
% (acc.lft, acc.rgt)
)
else:
cond.append("""gle.account = %s """ % (frappe.db.escape(account, percent=False),))
entries = frappe.db.sql(
"""
SELECT name, posting_date, account, party_type, party,debit,credit,
voucher_type, voucher_no, against_voucher_type, against_voucher
FROM `tabGL Entry` gle
WHERE {0}""".format(
" and ".join(cond)
),
as_dict=True,
)
count = 0
for gle in entries:
if fieldname not in ("invoiced_amount", "payables"):
count += 1
else:
dr_or_cr = "debit" if fieldname == "invoiced_amount" else "credit"
cr_or_dr = "credit" if fieldname == "invoiced_amount" else "debit"
select_fields = (
"ifnull(sum(credit-debit),0)"
if fieldname == "invoiced_amount"
else "ifnull(sum(debit-credit),0)"
)
if (
(not gle.against_voucher)
or (gle.against_voucher_type in ["Sales Order", "Purchase Order"])
or (gle.against_voucher == gle.voucher_no and gle.get(dr_or_cr) > 0)
):
payment_amount = frappe.db.sql(
"""
SELECT {0}
FROM `tabGL Entry` gle
WHERE docstatus < 2 and posting_date <= %(date)s and against_voucher = %(voucher_no)s
and party = %(party)s and name != %(name)s""".format(
select_fields
),
{"date": date, "voucher_no": gle.voucher_no, "party": gle.party, "name": gle.name},
)[0][0]
outstanding_amount = flt(gle.get(dr_or_cr)) - flt(gle.get(cr_or_dr)) - payment_amount
currency_precision = get_currency_precision() or 2
if abs(flt(outstanding_amount)) > 0.1 / 10**currency_precision:
count += 1
return count
@frappe.whitelist()
def add_ac(args=None):
from frappe.desk.treeview import make_tree_args
if not args:
args = frappe.local.form_dict
args.doctype = "Account"
args = make_tree_args(**args)
ac = frappe.new_doc("Account")
if args.get("ignore_permissions"):
ac.flags.ignore_permissions = True
args.pop("ignore_permissions")
ac.update(args)
if not ac.parent_account:
ac.parent_account = args.get("parent")
ac.old_parent = ""
ac.freeze_account = "No"
if cint(ac.get("is_root")):
ac.parent_account = None
ac.flags.ignore_mandatory = True
ac.insert()
return ac.name
@frappe.whitelist()
def add_cc(args=None):
from frappe.desk.treeview import make_tree_args
if not args:
args = frappe.local.form_dict
args.doctype = "Cost Center"
args = make_tree_args(**args)
if args.parent_cost_center == args.company:
args.parent_cost_center = "{0} - {1}".format(
args.parent_cost_center, frappe.get_cached_value("Company", args.company, "abbr")
)
cc = frappe.new_doc("Cost Center")
cc.update(args)
if not cc.parent_cost_center:
cc.parent_cost_center = args.get("parent")
cc.old_parent = ""
cc.insert()
return cc.name
def reconcile_against_document(args, skip_ref_details_update_for_pe=False): # nosemgrep
"""
Cancel PE or JV, Update against document, split if required and resubmit
"""
# To optimize making GL Entry for PE or JV with multiple references
reconciled_entries = {}
for row in args:
if not reconciled_entries.get((row.voucher_type, row.voucher_no)):
reconciled_entries[(row.voucher_type, row.voucher_no)] = []
reconciled_entries[(row.voucher_type, row.voucher_no)].append(row)
for key, entries in reconciled_entries.items():
voucher_type = key[0]
voucher_no = key[1]
# cancel advance entry
doc = frappe.get_doc(voucher_type, voucher_no)
frappe.flags.ignore_party_validation = True
_delete_pl_entries(voucher_type, voucher_no)
for entry in entries:
check_if_advance_entry_modified(entry)
validate_allocated_amount(entry)
# update ref in advance entry
if voucher_type == "Journal Entry":
update_reference_in_journal_entry(entry, doc, do_not_save=True)
else:
update_reference_in_payment_entry(
entry, doc, do_not_save=True, skip_ref_details_update_for_pe=skip_ref_details_update_for_pe
)
doc.save(ignore_permissions=True)
# re-submit advance entry
doc = frappe.get_doc(entry.voucher_type, entry.voucher_no)
gl_map = doc.build_gl_map()
create_payment_ledger_entry(gl_map, update_outstanding="No", cancel=0, adv_adj=1)
# Only update outstanding for newly linked vouchers
for entry in entries:
update_voucher_outstanding(
entry.against_voucher_type, entry.against_voucher, entry.account, entry.party_type, entry.party
)
frappe.flags.ignore_party_validation = False
def check_if_advance_entry_modified(args):
"""
check if there is already a voucher reference
check if amount is same
check if jv is submitted
"""
if not args.get("unreconciled_amount"):
args.update({"unreconciled_amount": args.get("unadjusted_amount")})
ret = None
if args.voucher_type == "Journal Entry":
journal_entry = frappe.qb.DocType("Journal Entry")
journal_acc = frappe.qb.DocType("Journal Entry Account")
q = (
frappe.qb.from_(journal_entry)
.inner_join(journal_acc)
.on(journal_entry.name == journal_acc.parent)
)
if args.get("dr_or_cr") == "debit_in_account_currency":
q = q.select(journal_acc.debit_in_account_currency)
else:
q = q.select(journal_acc.credit_in_account_currency)
q = q.where(
(journal_acc.account == args.get("account"))
& ((journal_acc.party_type == args.get("party_type")))
& ((journal_acc.party == args.get("party")))
& (
(journal_acc.reference_type == None)
| (journal_acc.reference_type.isin(["", "Sales Order", "Purchase Order"]))
)
& ((journal_entry.name == args.get("voucher_no")))
& ((journal_acc.name == args.get("voucher_detail_no")))
& ((journal_entry.docstatus == 1))
)
else:
payment_entry = frappe.qb.DocType("Payment Entry")
payment_ref = frappe.qb.DocType("Payment Entry Reference")
q = (
frappe.qb.from_(payment_entry)
.select(payment_entry.name)
.where(payment_entry.name == args.get("voucher_no"))
.where(payment_entry.docstatus == 1)
.where(payment_entry.party_type == args.get("party_type"))
.where(payment_entry.party == args.get("party"))
)
if args.voucher_detail_no:
q = (
q.inner_join(payment_ref)
.on(payment_entry.name == payment_ref.parent)
.where(payment_ref.name == args.get("voucher_detail_no"))
.where(payment_ref.reference_doctype.isin(("", "Sales Order", "Purchase Order")))
.where(payment_ref.allocated_amount == args.get("unreconciled_amount"))
)
else:
q = q.where(payment_entry.unallocated_amount == args.get("unreconciled_amount"))
ret = q.run(as_dict=True)
if not ret:
throw(_("""Payment Entry has been modified after you pulled it. Please pull it again."""))
def validate_allocated_amount(args):
precision = args.get("precision") or frappe.db.get_single_value(
"System Settings", "currency_precision"
)
if args.get("allocated_amount") < 0:
throw(_("Allocated amount cannot be negative"))
elif flt(args.get("allocated_amount"), precision) > flt(args.get("unadjusted_amount"), precision):
throw(_("Allocated amount cannot be greater than unadjusted amount"))
def update_reference_in_journal_entry(d, journal_entry, do_not_save=False):
"""
Updates against document, if partial amount splits into rows
"""
jv_detail = journal_entry.get("accounts", {"name": d["voucher_detail_no"]})[0]
if flt(d["unadjusted_amount"]) - flt(d["allocated_amount"]) != 0:
# adjust the unreconciled balance
amount_in_account_currency = flt(d["unadjusted_amount"]) - flt(d["allocated_amount"])
amount_in_company_currency = amount_in_account_currency * flt(jv_detail.exchange_rate)
jv_detail.set(d["dr_or_cr"], amount_in_account_currency)
jv_detail.set(
"debit" if d["dr_or_cr"] == "debit_in_account_currency" else "credit",
amount_in_company_currency,
)
else:
journal_entry.remove(jv_detail)
# new row with references
new_row = journal_entry.append("accounts")
new_row.update((frappe.copy_doc(jv_detail)).as_dict())
new_row.set(d["dr_or_cr"], d["allocated_amount"])
new_row.set(
"debit" if d["dr_or_cr"] == "debit_in_account_currency" else "credit",
d["allocated_amount"] * flt(jv_detail.exchange_rate),
)
new_row.set(
"credit_in_account_currency"
if d["dr_or_cr"] == "debit_in_account_currency"
else "debit_in_account_currency",
0,
)
new_row.set("credit" if d["dr_or_cr"] == "debit_in_account_currency" else "debit", 0)
new_row.set("reference_type", d["against_voucher_type"])
new_row.set("reference_name", d["against_voucher"])
new_row.against_account = cstr(jv_detail.against_account)
new_row.is_advance = cstr(jv_detail.is_advance)
new_row.docstatus = 1
# will work as update after submit
journal_entry.flags.ignore_validate_update_after_submit = True
if not do_not_save:
journal_entry.save(ignore_permissions=True)
def update_reference_in_payment_entry(
d, payment_entry, do_not_save=False, skip_ref_details_update_for_pe=False
):
reference_details = {
"reference_doctype": d.against_voucher_type,
"reference_name": d.against_voucher,
"total_amount": d.grand_total,
"outstanding_amount": d.outstanding_amount,
"allocated_amount": d.allocated_amount,
"exchange_rate": d.exchange_rate
if not d.exchange_gain_loss
else payment_entry.get_exchange_rate(),
"exchange_gain_loss": d.exchange_gain_loss, # only populated from invoice in case of advance allocation
"account": d.account,
}
if d.voucher_detail_no:
existing_row = payment_entry.get("references", {"name": d["voucher_detail_no"]})[0]
original_row = existing_row.as_dict().copy()
existing_row.update(reference_details)
if d.allocated_amount < original_row.allocated_amount:
new_row = payment_entry.append("references")
new_row.docstatus = 1
for field in list(reference_details):
new_row.set(field, original_row[field])
new_row.allocated_amount = original_row.allocated_amount - d.allocated_amount
else:
new_row = payment_entry.append("references")
new_row.docstatus = 1
new_row.update(reference_details)
if d.difference_amount and d.difference_account:
account_details = {
"account": d.difference_account,
"cost_center": payment_entry.cost_center
or frappe.get_cached_value("Company", payment_entry.company, "cost_center"),
}
if d.difference_amount:
account_details["amount"] = d.difference_amount
payment_entry.set_gain_or_loss(account_details=account_details)
payment_entry.flags.ignore_validate_update_after_submit = True
payment_entry.setup_party_account_field()
payment_entry.set_missing_values()
if not skip_ref_details_update_for_pe:
payment_entry.set_missing_ref_details()
payment_entry.set_amounts()
if not do_not_save:
payment_entry.save(ignore_permissions=True)
def unlink_ref_doc_from_payment_entries(ref_doc):
remove_ref_doc_link_from_jv(ref_doc.doctype, ref_doc.name)
remove_ref_doc_link_from_pe(ref_doc.doctype, ref_doc.name)
frappe.db.sql(
"""update `tabGL Entry`
set against_voucher_type=null, against_voucher=null,
modified=%s, modified_by=%s
where against_voucher_type=%s and against_voucher=%s
and voucher_no != ifnull(against_voucher, '')""",
(now(), frappe.session.user, ref_doc.doctype, ref_doc.name),
)
ple = qb.DocType("Payment Ledger Entry")
qb.update(ple).set(ple.against_voucher_type, ple.voucher_type).set(
ple.against_voucher_no, ple.voucher_no
).set(ple.modified, now()).set(ple.modified_by, frappe.session.user).where(
(ple.against_voucher_type == ref_doc.doctype)
& (ple.against_voucher_no == ref_doc.name)
& (ple.delinked == 0)
).run()
if ref_doc.doctype in ("Sales Invoice", "Purchase Invoice"):
ref_doc.set("advances", [])
frappe.db.sql(
"""delete from `tab{0} Advance` where parent = %s""".format(ref_doc.doctype), ref_doc.name
)
def remove_ref_doc_link_from_jv(ref_type, ref_no):
linked_jv = frappe.db.sql_list(
"""select parent from `tabJournal Entry Account`
where reference_type=%s and reference_name=%s and docstatus < 2""",
(ref_type, ref_no),
)
if linked_jv:
frappe.db.sql(
"""update `tabJournal Entry Account`
set reference_type=null, reference_name = null,
modified=%s, modified_by=%s
where reference_type=%s and reference_name=%s
and docstatus < 2""",
(now(), frappe.session.user, ref_type, ref_no),
)
frappe.msgprint(_("Journal Entries {0} are un-linked").format("\n".join(linked_jv)))
def remove_ref_doc_link_from_pe(ref_type, ref_no):
linked_pe = frappe.db.sql_list(
"""select parent from `tabPayment Entry Reference`
where reference_doctype=%s and reference_name=%s and docstatus < 2""",
(ref_type, ref_no),
)
if linked_pe:
frappe.db.sql(
"""update `tabPayment Entry Reference`
set allocated_amount=0, modified=%s, modified_by=%s
where reference_doctype=%s and reference_name=%s
and docstatus < 2""",
(now(), frappe.session.user, ref_type, ref_no),
)
for pe in linked_pe:
try:
pe_doc = frappe.get_doc("Payment Entry", pe)
pe_doc.set_amounts()
pe_doc.clear_unallocated_reference_document_rows()
pe_doc.validate_payment_type_with_outstanding()
except Exception as e:
msg = _("There were issues unlinking payment entry {0}.").format(pe_doc.name)
msg += "<br>"
msg += _("Please cancel payment entry manually first")
frappe.throw(msg, exc=PaymentEntryUnlinkError, title=_("Payment Unlink Error"))
frappe.db.sql(
"""update `tabPayment Entry` set total_allocated_amount=%s,
base_total_allocated_amount=%s, unallocated_amount=%s, modified=%s, modified_by=%s
where name=%s""",
(
pe_doc.total_allocated_amount,
pe_doc.base_total_allocated_amount,
pe_doc.unallocated_amount,
now(),
frappe.session.user,
pe,
),
)
frappe.msgprint(_("Payment Entries {0} are un-linked").format("\n".join(linked_pe)))
@frappe.whitelist()
def get_company_default(company, fieldname, ignore_validation=False):
value = frappe.get_cached_value("Company", company, fieldname)
if not ignore_validation and not value:
throw(
_("Please set default {0} in Company {1}").format(
frappe.get_meta("Company").get_label(fieldname), company
)
)
return value
def fix_total_debit_credit():
vouchers = frappe.db.sql(
"""select voucher_type, voucher_no,
sum(debit) - sum(credit) as diff
from `tabGL Entry`
group by voucher_type, voucher_no
having sum(debit) != sum(credit)""",
as_dict=1,
)
for d in vouchers:
if abs(d.diff) > 0:
dr_or_cr = d.voucher_type == "Sales Invoice" and "credit" or "debit"
frappe.db.sql(
"""update `tabGL Entry` set %s = %s + %s
where voucher_type = %s and voucher_no = %s and %s > 0 limit 1"""
% (dr_or_cr, dr_or_cr, "%s", "%s", "%s", dr_or_cr),
(d.diff, d.voucher_type, d.voucher_no),
)
def get_currency_precision():
precision = cint(frappe.db.get_default("currency_precision"))
if not precision:
number_format = frappe.db.get_default("number_format") or "#,###.##"
precision = get_number_format_info(number_format)[2]
return precision
def get_stock_rbnb_difference(posting_date, company):
stock_items = frappe.db.sql_list(
"""select distinct item_code
from `tabStock Ledger Entry` where company=%s""",
company,
)
pr_valuation_amount = frappe.db.sql(
"""
select sum(pr_item.valuation_rate * pr_item.qty * pr_item.conversion_factor)
from `tabPurchase Receipt Item` pr_item, `tabPurchase Receipt` pr
where pr.name = pr_item.parent and pr.docstatus=1 and pr.company=%s
and pr.posting_date <= %s and pr_item.item_code in (%s)"""
% ("%s", "%s", ", ".join(["%s"] * len(stock_items))),
tuple([company, posting_date] + stock_items),
)[0][0]
pi_valuation_amount = frappe.db.sql(
"""
select sum(pi_item.valuation_rate * pi_item.qty * pi_item.conversion_factor)
from `tabPurchase Invoice Item` pi_item, `tabPurchase Invoice` pi
where pi.name = pi_item.parent and pi.docstatus=1 and pi.company=%s
and pi.posting_date <= %s and pi_item.item_code in (%s)"""
% ("%s", "%s", ", ".join(["%s"] * len(stock_items))),
tuple([company, posting_date] + stock_items),
)[0][0]
# Balance should be
stock_rbnb = flt(pr_valuation_amount, 2) - flt(pi_valuation_amount, 2)
# Balance as per system
stock_rbnb_account = "Stock Received But Not Billed - " + frappe.get_cached_value(
"Company", company, "abbr"
)
sys_bal = get_balance_on(stock_rbnb_account, posting_date, in_account_currency=False)
# Amount should be credited
return flt(stock_rbnb) + flt(sys_bal)
def get_held_invoices(party_type, party):
"""
Returns a list of names Purchase Invoices for the given party that are on hold
"""
held_invoices = None
if party_type == "Supplier":
held_invoices = frappe.db.sql(
"select name from `tabPurchase Invoice` where release_date IS NOT NULL and release_date > CURDATE()",
as_dict=1,
)
held_invoices = set(d["name"] for d in held_invoices)
return held_invoices
def get_outstanding_invoices(
party_type,
party,
account,
common_filter=None,
posting_date=None,
min_outstanding=None,
max_outstanding=None,
accounting_dimensions=None,
):
ple = qb.DocType("Payment Ledger Entry")
outstanding_invoices = []
precision = frappe.get_precision("Sales Invoice", "outstanding_amount") or 2
if account:
root_type, account_type = frappe.get_cached_value(
"Account", account, ["root_type", "account_type"]
)
party_account_type = "Receivable" if root_type == "Asset" else "Payable"
party_account_type = account_type or party_account_type
else:
party_account_type = erpnext.get_party_account_type(party_type)
held_invoices = get_held_invoices(party_type, party)
common_filter = common_filter or []
common_filter.append(ple.account_type == party_account_type)
common_filter.append(ple.account == account)
common_filter.append(ple.party_type == party_type)
common_filter.append(ple.party == party)
ple_query = QueryPaymentLedger()
invoice_list = ple_query.get_voucher_outstandings(
common_filter=common_filter,
posting_date=posting_date,
min_outstanding=min_outstanding,
max_outstanding=max_outstanding,
get_invoices=True,
accounting_dimensions=accounting_dimensions or [],
)
for d in invoice_list:
payment_amount = d.invoice_amount_in_account_currency - d.outstanding_in_account_currency
outstanding_amount = d.outstanding_in_account_currency
if outstanding_amount > 0.5 / (10**precision):
if (
min_outstanding
and max_outstanding
and not (outstanding_amount >= min_outstanding and outstanding_amount <= max_outstanding)
):
continue
if not d.voucher_type == "Purchase Invoice" or d.voucher_no not in held_invoices:
outstanding_invoices.append(
frappe._dict(
{
"voucher_no": d.voucher_no,
"voucher_type": d.voucher_type,
"posting_date": d.posting_date,
"invoice_amount": flt(d.invoice_amount_in_account_currency),
"payment_amount": payment_amount,
"outstanding_amount": outstanding_amount,
"due_date": d.due_date,
"currency": d.currency,
"account": d.account,
}
)
)
outstanding_invoices = sorted(
outstanding_invoices, key=lambda k: k["due_date"] or getdate(nowdate())
)
return outstanding_invoices
def get_account_name(
account_type=None, root_type=None, is_group=None, account_currency=None, company=None
):
"""return account based on matching conditions"""
return frappe.db.get_value(
"Account",
{
"account_type": account_type or "",
"root_type": root_type or "",
"is_group": is_group or 0,
"account_currency": account_currency or frappe.defaults.get_defaults().currency,
"company": company or frappe.defaults.get_defaults().company,
},
"name",
)
@frappe.whitelist()
def get_companies():
"""get a list of companies based on permission"""
return [d.name for d in frappe.get_list("Company", fields=["name"], order_by="name")]
@frappe.whitelist()
def get_children(doctype, parent, company, is_root=False):
from erpnext.accounts.report.financial_statements import sort_accounts
parent_fieldname = "parent_" + doctype.lower().replace(" ", "_")
fields = ["name as value", "is_group as expandable"]
filters = [["docstatus", "<", 2]]
filters.append(['ifnull(`{0}`,"")'.format(parent_fieldname), "=", "" if is_root else parent])
if is_root:
fields += ["root_type", "report_type", "account_currency"] if doctype == "Account" else []
filters.append(["company", "=", company])
else:
fields += ["root_type", "account_currency"] if doctype == "Account" else []
fields += [parent_fieldname + " as parent"]
acc = frappe.get_list(doctype, fields=fields, filters=filters)
if doctype == "Account":
sort_accounts(acc, is_root, key="value")
return acc
@frappe.whitelist()
def get_account_balances(accounts, company):
if isinstance(accounts, str):
accounts = loads(accounts)
if not accounts:
return []
company_currency = frappe.get_cached_value("Company", company, "default_currency")
for account in accounts:
account["company_currency"] = company_currency
account["balance"] = flt(
get_balance_on(account["value"], in_account_currency=False, company=company)
)
if account["account_currency"] and account["account_currency"] != company_currency:
account["balance_in_account_currency"] = flt(get_balance_on(account["value"], company=company))
return accounts
def create_payment_gateway_account(gateway, payment_channel="Email"):
from erpnext.setup.setup_wizard.operations.install_fixtures import create_bank_account
company = frappe.get_cached_value("Global Defaults", "Global Defaults", "default_company")
if not company:
return
# NOTE: we translate Payment Gateway account name because that is going to be used by the end user
bank_account = frappe.db.get_value(
"Account",
{"account_name": _(gateway), "company": company},
["name", "account_currency"],
as_dict=1,
)
if not bank_account:
# check for untranslated one
bank_account = frappe.db.get_value(
"Account",
{"account_name": gateway, "company": company},
["name", "account_currency"],
as_dict=1,
)
if not bank_account:
# try creating one
bank_account = create_bank_account({"company_name": company, "bank_account": _(gateway)})
if not bank_account:
frappe.msgprint(_("Payment Gateway Account not created, please create one manually."))
return
# if payment gateway account exists, return
if frappe.db.exists(
"Payment Gateway Account",
{"payment_gateway": gateway, "currency": bank_account.account_currency},
):
return
try:
frappe.get_doc(
{
"doctype": "Payment Gateway Account",
"is_default": 1,
"payment_gateway": gateway,
"payment_account": bank_account.name,
"currency": bank_account.account_currency,
"payment_channel": payment_channel,
}
).insert(ignore_permissions=True, ignore_if_duplicate=True)
except frappe.DuplicateEntryError:
# already exists, due to a reinstall?
pass
@frappe.whitelist()
def update_cost_center(docname, cost_center_name, cost_center_number, company, merge):
"""
Renames the document by adding the number as a prefix to the current name and updates
all transaction where it was present.
"""
validate_field_number("Cost Center", docname, cost_center_number, company, "cost_center_number")
if cost_center_number:
frappe.db.set_value("Cost Center", docname, "cost_center_number", cost_center_number.strip())
else:
frappe.db.set_value("Cost Center", docname, "cost_center_number", "")
frappe.db.set_value("Cost Center", docname, "cost_center_name", cost_center_name.strip())
new_name = get_autoname_with_number(cost_center_number, cost_center_name, company)
if docname != new_name:
frappe.rename_doc("Cost Center", docname, new_name, force=1, merge=merge)
return new_name
def validate_field_number(doctype_name, docname, number_value, company, field_name):
"""Validate if the number entered isn't already assigned to some other document."""
if number_value:
filters = {field_name: number_value, "name": ["!=", docname]}
if company:
filters["company"] = company
doctype_with_same_number = frappe.db.get_value(doctype_name, filters)
if doctype_with_same_number:
frappe.throw(
_("{0} Number {1} is already used in {2} {3}").format(
doctype_name, number_value, doctype_name.lower(), doctype_with_same_number
)
)
def get_autoname_with_number(number_value, doc_title, company):
"""append title with prefix as number and suffix as company's abbreviation separated by '-'"""
company_abbr = frappe.get_cached_value("Company", company, "abbr")
parts = [doc_title.strip(), company_abbr]
if cstr(number_value).strip():
parts.insert(0, cstr(number_value).strip())
return " - ".join(parts)
@frappe.whitelist()
def get_coa(doctype, parent, is_root, chart=None):
from erpnext.accounts.doctype.account.chart_of_accounts.chart_of_accounts import (
build_tree_from_json,
)
# add chart to flags to retrieve when called from expand all function
chart = chart if chart else frappe.flags.chart
frappe.flags.chart = chart
parent = None if parent == _("All Accounts") else parent
accounts = build_tree_from_json(chart) # returns alist of dict in a tree render-able form
# filter out to show data for the selected node only
accounts = [d for d in accounts if d["parent_account"] == parent]
return accounts
def update_gl_entries_after(
posting_date,
posting_time,
for_warehouses=None,
for_items=None,
warehouse_account=None,
company=None,
):
stock_vouchers = get_future_stock_vouchers(
posting_date, posting_time, for_warehouses, for_items, company
)
repost_gle_for_stock_vouchers(stock_vouchers, posting_date, company, warehouse_account)
def repost_gle_for_stock_vouchers(
stock_vouchers: List[Tuple[str, str]],
posting_date: str,
company: Optional[str] = None,
warehouse_account=None,
repost_doc: Optional["RepostItemValuation"] = None,
):
from erpnext.accounts.general_ledger import toggle_debit_credit_if_negative
if not stock_vouchers:
return
if not warehouse_account:
warehouse_account = get_warehouse_account_map(company)
stock_vouchers = sort_stock_vouchers_by_posting_date(stock_vouchers)
if repost_doc and repost_doc.gl_reposting_index:
# Restore progress
stock_vouchers = stock_vouchers[cint(repost_doc.gl_reposting_index) :]
precision = get_field_precision(frappe.get_meta("GL Entry").get_field("debit")) or 2
for stock_vouchers_chunk in create_batch(stock_vouchers, GL_REPOSTING_CHUNK):
gle = get_voucherwise_gl_entries(stock_vouchers_chunk, posting_date)
for voucher_type, voucher_no in stock_vouchers_chunk:
existing_gle = gle.get((voucher_type, voucher_no), [])
voucher_obj = frappe.get_doc(voucher_type, voucher_no)
# Some transactions post credit as negative debit, this is handled while posting GLE
# but while comparing we need to make sure it's flipped so comparisons are accurate
expected_gle = toggle_debit_credit_if_negative(voucher_obj.get_gl_entries(warehouse_account))
if expected_gle:
if not existing_gle or not compare_existing_and_expected_gle(
existing_gle, expected_gle, precision
):
_delete_accounting_ledger_entries(voucher_type, voucher_no)
voucher_obj.make_gl_entries(gl_entries=expected_gle, from_repost=True)
else:
_delete_accounting_ledger_entries(voucher_type, voucher_no)
if not frappe.flags.in_test:
frappe.db.commit()
if repost_doc:
repost_doc.db_set(
"gl_reposting_index",
cint(repost_doc.gl_reposting_index) + len(stock_vouchers_chunk),
)
def _delete_pl_entries(voucher_type, voucher_no):
ple = qb.DocType("Payment Ledger Entry")
qb.from_(ple).delete().where(
(ple.voucher_type == voucher_type) & (ple.voucher_no == voucher_no)
).run()
def _delete_gl_entries(voucher_type, voucher_no):
gle = qb.DocType("GL Entry")
qb.from_(gle).delete().where(
(gle.voucher_type == voucher_type) & (gle.voucher_no == voucher_no)
).run()
def _delete_accounting_ledger_entries(voucher_type, voucher_no):
"""
Remove entries from both General and Payment Ledger for specified Voucher
"""
_delete_gl_entries(voucher_type, voucher_no)
_delete_pl_entries(voucher_type, voucher_no)
def sort_stock_vouchers_by_posting_date(
stock_vouchers: List[Tuple[str, str]]
) -> List[Tuple[str, str]]:
sle = frappe.qb.DocType("Stock Ledger Entry")
voucher_nos = [v[1] for v in stock_vouchers]
sles = (
frappe.qb.from_(sle)
.select(sle.voucher_type, sle.voucher_no, sle.posting_date, sle.posting_time, sle.creation)
.where((sle.is_cancelled == 0) & (sle.voucher_no.isin(voucher_nos)))
.groupby(sle.voucher_type, sle.voucher_no)
.orderby(sle.posting_date)
.orderby(sle.posting_time)
.orderby(sle.creation)
).run(as_dict=True)
sorted_vouchers = [(sle.voucher_type, sle.voucher_no) for sle in sles]
unknown_vouchers = set(stock_vouchers) - set(sorted_vouchers)
if unknown_vouchers:
sorted_vouchers.extend(unknown_vouchers)
return sorted_vouchers
def get_future_stock_vouchers(
posting_date, posting_time, for_warehouses=None, for_items=None, company=None
):
values = []
condition = ""
if for_items:
condition += " and item_code in ({})".format(", ".join(["%s"] * len(for_items)))
values += for_items
if for_warehouses:
condition += " and warehouse in ({})".format(", ".join(["%s"] * len(for_warehouses)))
values += for_warehouses
if company:
condition += " and company = %s"
values.append(company)
future_stock_vouchers = frappe.db.sql(
"""select distinct sle.voucher_type, sle.voucher_no
from `tabStock Ledger Entry` sle
where
timestamp(sle.posting_date, sle.posting_time) >= timestamp(%s, %s)
and is_cancelled = 0
{condition}
order by timestamp(sle.posting_date, sle.posting_time) asc, creation asc for update""".format(
condition=condition
),
tuple([posting_date, posting_time] + values),
as_dict=True,
)
return [(d.voucher_type, d.voucher_no) for d in future_stock_vouchers]
def get_voucherwise_gl_entries(future_stock_vouchers, posting_date):
"""Get voucherwise list of GL entries.
Only fetches GLE fields required for comparing with new GLE.
Check compare_existing_and_expected_gle function below.
returns:
Dict[Tuple[voucher_type, voucher_no], List[GL Entries]]
"""
gl_entries = {}
if not future_stock_vouchers:
return gl_entries
voucher_nos = [d[1] for d in future_stock_vouchers]
gles = frappe.db.sql(
"""
select name, account, credit, debit, cost_center, project, voucher_type, voucher_no
from `tabGL Entry`
where
posting_date >= %s and voucher_no in (%s)"""
% ("%s", ", ".join(["%s"] * len(voucher_nos))),
tuple([posting_date] + voucher_nos),
as_dict=1,
)
for d in gles:
gl_entries.setdefault((d.voucher_type, d.voucher_no), []).append(d)
return gl_entries
def compare_existing_and_expected_gle(existing_gle, expected_gle, precision):
if len(existing_gle) != len(expected_gle):
return False
matched = True
for entry in expected_gle:
account_existed = False
for e in existing_gle:
if entry.account == e.account:
account_existed = True
if (
entry.account == e.account
and (not entry.cost_center or not e.cost_center or entry.cost_center == e.cost_center)
and (
flt(entry.debit, precision) != flt(e.debit, precision)
or flt(entry.credit, precision) != flt(e.credit, precision)
)
):
matched = False
break
if not account_existed:
matched = False
break
return matched
def get_stock_accounts(company, voucher_type=None, voucher_no=None):
stock_accounts = [
d.name
for d in frappe.db.get_all(
"Account", {"account_type": "Stock", "company": company, "is_group": 0}
)
]
if voucher_type and voucher_no:
if voucher_type == "Journal Entry":
stock_accounts = [
d.account
for d in frappe.db.get_all(
"Journal Entry Account", {"parent": voucher_no, "account": ["in", stock_accounts]}, "account"
)
]
else:
stock_accounts = [
d.account
for d in frappe.db.get_all(
"GL Entry",
{"voucher_type": voucher_type, "voucher_no": voucher_no, "account": ["in", stock_accounts]},
"account",
)
]
return stock_accounts
def get_stock_and_account_balance(account=None, posting_date=None, company=None):
if not posting_date:
posting_date = nowdate()
warehouse_account = get_warehouse_account_map(company)
account_balance = get_balance_on(
account, posting_date, in_account_currency=False, ignore_account_permission=True
)
related_warehouses = [
wh
for wh, wh_details in warehouse_account.items()
if wh_details.account == account and not wh_details.is_group
]
total_stock_value = get_stock_value_on(related_warehouses, posting_date)
precision = frappe.get_precision("Journal Entry Account", "debit_in_account_currency")
return flt(account_balance, precision), flt(total_stock_value, precision), related_warehouses
def get_journal_entry(account, stock_adjustment_account, amount):
db_or_cr_warehouse_account = (
"credit_in_account_currency" if amount < 0 else "debit_in_account_currency"
)
db_or_cr_stock_adjustment_account = (
"debit_in_account_currency" if amount < 0 else "credit_in_account_currency"
)
return {
"accounts": [
{"account": account, db_or_cr_warehouse_account: abs(amount)},
{"account": stock_adjustment_account, db_or_cr_stock_adjustment_account: abs(amount)},
]
}
def check_and_delete_linked_reports(report):
"""Check if reports are referenced in Desktop Icon"""
icons = frappe.get_all("Desktop Icon", fields=["name"], filters={"_report": report})
if icons:
for icon in icons:
frappe.delete_doc("Desktop Icon", icon)
def get_payment_ledger_entries(gl_entries, cancel=0):
ple_map = []
if gl_entries:
ple = None
# companies
account = qb.DocType("Account")
companies = list(set([x.company for x in gl_entries]))
# receivable/payable account
accounts_with_types = (
qb.from_(account)
.select(account.name, account.account_type)
.where(
(account.account_type.isin(["Receivable", "Payable"]) & (account.company.isin(companies)))
)
.run(as_dict=True)
)
receivable_or_payable_accounts = [y.name for y in accounts_with_types]
def get_account_type(account):
for entry in accounts_with_types:
if entry.name == account:
return entry.account_type
dr_or_cr = 0
account_type = None
for gle in gl_entries:
if gle.account in receivable_or_payable_accounts:
account_type = get_account_type(gle.account)
if account_type == "Receivable":
dr_or_cr = gle.debit - gle.credit
dr_or_cr_account_currency = gle.debit_in_account_currency - gle.credit_in_account_currency
elif account_type == "Payable":
dr_or_cr = gle.credit - gle.debit
dr_or_cr_account_currency = gle.credit_in_account_currency - gle.debit_in_account_currency
if cancel:
dr_or_cr *= -1
dr_or_cr_account_currency *= -1
ple = frappe._dict(
doctype="Payment Ledger Entry",
posting_date=gle.posting_date,
company=gle.company,
account_type=account_type,
account=gle.account,
party_type=gle.party_type,
party=gle.party,
cost_center=gle.cost_center,
finance_book=gle.finance_book,
due_date=gle.due_date,
voucher_type=gle.voucher_type,
voucher_no=gle.voucher_no,
against_voucher_type=gle.against_voucher_type
if gle.against_voucher_type
else gle.voucher_type,
against_voucher_no=gle.against_voucher if gle.against_voucher else gle.voucher_no,
account_currency=gle.account_currency,
amount=dr_or_cr,
amount_in_account_currency=dr_or_cr_account_currency,
delinked=True if cancel else False,
remarks=gle.remarks,
)
dimensions_and_defaults = get_dimensions()
if dimensions_and_defaults:
for dimension in dimensions_and_defaults[0]:
ple[dimension.fieldname] = gle.get(dimension.fieldname)
ple_map.append(ple)
return ple_map
def create_payment_ledger_entry(
gl_entries, cancel=0, adv_adj=0, update_outstanding="Yes", from_repost=0
):
if gl_entries:
ple_map = get_payment_ledger_entries(gl_entries, cancel=cancel)
for entry in ple_map:
ple = frappe.get_doc(entry)
if cancel:
delink_original_entry(ple)
ple.flags.ignore_permissions = 1
ple.flags.adv_adj = adv_adj
ple.flags.from_repost = from_repost
ple.flags.update_outstanding = update_outstanding
ple.submit()
def update_voucher_outstanding(voucher_type, voucher_no, account, party_type, party):
ple = frappe.qb.DocType("Payment Ledger Entry")
vouchers = [frappe._dict({"voucher_type": voucher_type, "voucher_no": voucher_no})]
common_filter = []
if account:
common_filter.append(ple.account == account)
if party_type:
common_filter.append(ple.party_type == party_type)
if party:
common_filter.append(ple.party == party)
ple_query = QueryPaymentLedger()
# on cancellation outstanding can be an empty list
voucher_outstanding = ple_query.get_voucher_outstandings(vouchers, common_filter=common_filter)
if (
voucher_type in ["Sales Invoice", "Purchase Invoice", "Fees"]
and party_type
and party
and voucher_outstanding
):
outstanding = voucher_outstanding[0]
ref_doc = frappe.get_doc(voucher_type, voucher_no)
# Didn't use db_set for optimisation purpose
ref_doc.outstanding_amount = outstanding["outstanding_in_account_currency"] or 0.0
frappe.db.set_value(
voucher_type,
voucher_no,
"outstanding_amount",
outstanding["outstanding_in_account_currency"] or 0.0,
)
ref_doc.set_status(update=True)
def delink_original_entry(pl_entry):
if pl_entry:
ple = qb.DocType("Payment Ledger Entry")
query = (
qb.update(ple)
.set(ple.delinked, True)
.set(ple.modified, now())
.set(ple.modified_by, frappe.session.user)
.where(
(ple.company == pl_entry.company)
& (ple.account_type == pl_entry.account_type)
& (ple.account == pl_entry.account)
& (ple.party_type == pl_entry.party_type)
& (ple.party == pl_entry.party)
& (ple.voucher_type == pl_entry.voucher_type)
& (ple.voucher_no == pl_entry.voucher_no)
& (ple.against_voucher_type == pl_entry.against_voucher_type)
& (ple.against_voucher_no == pl_entry.against_voucher_no)
)
)
query.run()
class QueryPaymentLedger(object):
"""
Helper Class for Querying Payment Ledger Entry
"""
def __init__(self):
self.ple = qb.DocType("Payment Ledger Entry")
# query result
self.voucher_outstandings = []
# query filters
self.vouchers = []
self.common_filter = []
self.voucher_posting_date = []
self.min_outstanding = None
self.max_outstanding = None
def reset(self):
# clear filters
self.vouchers.clear()
self.common_filter.clear()
self.min_outstanding = self.max_outstanding = None
# clear result
self.voucher_outstandings.clear()
def query_for_outstanding(self):
"""
Database query to fetch voucher amount and voucher outstanding using Common Table Expression
"""
ple = self.ple
filter_on_voucher_no = []
filter_on_against_voucher_no = []
if self.vouchers:
voucher_types = set([x.voucher_type for x in self.vouchers])
voucher_nos = set([x.voucher_no for x in self.vouchers])
filter_on_voucher_no.append(ple.voucher_type.isin(voucher_types))
filter_on_voucher_no.append(ple.voucher_no.isin(voucher_nos))
filter_on_against_voucher_no.append(ple.against_voucher_type.isin(voucher_types))
filter_on_against_voucher_no.append(ple.against_voucher_no.isin(voucher_nos))
# build outstanding amount filter
filter_on_outstanding_amount = []
if self.min_outstanding:
if self.min_outstanding > 0:
filter_on_outstanding_amount.append(
Table("outstanding").amount_in_account_currency >= self.min_outstanding
)
else:
filter_on_outstanding_amount.append(
Table("outstanding").amount_in_account_currency <= self.min_outstanding
)
if self.max_outstanding:
if self.max_outstanding > 0:
filter_on_outstanding_amount.append(
Table("outstanding").amount_in_account_currency <= self.max_outstanding
)
else:
filter_on_outstanding_amount.append(
Table("outstanding").amount_in_account_currency >= self.max_outstanding
)
# build query for voucher amount
query_voucher_amount = (
qb.from_(ple)
.select(
ple.account,
ple.voucher_type,
ple.voucher_no,
ple.party_type,
ple.party,
ple.posting_date,
ple.due_date,
ple.account_currency.as_("currency"),
Sum(ple.amount).as_("amount"),
Sum(ple.amount_in_account_currency).as_("amount_in_account_currency"),
)
.where(ple.delinked == 0)
.where(Criterion.all(filter_on_voucher_no))
.where(Criterion.all(self.common_filter))
.where(Criterion.all(self.dimensions_filter))
.where(Criterion.all(self.voucher_posting_date))
.groupby(ple.voucher_type, ple.voucher_no, ple.party_type, ple.party)
)
# build query for voucher outstanding
query_voucher_outstanding = (
qb.from_(ple)
.select(
ple.account,
ple.against_voucher_type.as_("voucher_type"),
ple.against_voucher_no.as_("voucher_no"),
ple.party_type,
ple.party,
ple.posting_date,
ple.due_date,
ple.account_currency.as_("currency"),
Sum(ple.amount).as_("amount"),
Sum(ple.amount_in_account_currency).as_("amount_in_account_currency"),
)
.where(ple.delinked == 0)
.where(Criterion.all(filter_on_against_voucher_no))
.where(Criterion.all(self.common_filter))
.groupby(ple.against_voucher_type, ple.against_voucher_no, ple.party_type, ple.party)
)
# build CTE for combining voucher amount and outstanding
self.cte_query_voucher_amount_and_outstanding = (
qb.with_(query_voucher_amount, "vouchers")
.with_(query_voucher_outstanding, "outstanding")
.from_(AliasedQuery("vouchers"))
.left_join(AliasedQuery("outstanding"))
.on(
(AliasedQuery("vouchers").account == AliasedQuery("outstanding").account)
& (AliasedQuery("vouchers").voucher_type == AliasedQuery("outstanding").voucher_type)
& (AliasedQuery("vouchers").voucher_no == AliasedQuery("outstanding").voucher_no)
& (AliasedQuery("vouchers").party_type == AliasedQuery("outstanding").party_type)
& (AliasedQuery("vouchers").party == AliasedQuery("outstanding").party)
)
.select(
Table("vouchers").account,
Table("vouchers").voucher_type,
Table("vouchers").voucher_no,
Table("vouchers").party_type,
Table("vouchers").party,
Table("vouchers").posting_date,
Table("vouchers").amount.as_("invoice_amount"),
Table("vouchers").amount_in_account_currency.as_("invoice_amount_in_account_currency"),
Table("outstanding").amount.as_("outstanding"),
Table("outstanding").amount_in_account_currency.as_("outstanding_in_account_currency"),
(Table("vouchers").amount - Table("outstanding").amount).as_("paid_amount"),
(
Table("vouchers").amount_in_account_currency - Table("outstanding").amount_in_account_currency
).as_("paid_amount_in_account_currency"),
Table("vouchers").due_date,
Table("vouchers").currency,
)
.where(Criterion.all(filter_on_outstanding_amount))
)
# build CTE filter
# only fetch invoices
if self.get_invoices:
self.cte_query_voucher_amount_and_outstanding = (
self.cte_query_voucher_amount_and_outstanding.having(
qb.Field("outstanding_in_account_currency") > 0
)
)
# only fetch payments
elif self.get_payments:
self.cte_query_voucher_amount_and_outstanding = (
self.cte_query_voucher_amount_and_outstanding.having(
qb.Field("outstanding_in_account_currency") < 0
)
)
# execute SQL
self.voucher_outstandings = self.cte_query_voucher_amount_and_outstanding.run(as_dict=True)
def get_voucher_outstandings(
self,
vouchers=None,
common_filter=None,
posting_date=None,
min_outstanding=None,
max_outstanding=None,
get_payments=False,
get_invoices=False,
accounting_dimensions=None,
):
"""
Fetch voucher amount and outstanding amount from Payment Ledger using Database CTE
vouchers - dict of vouchers to get
common_filter - array of criterions
min_outstanding - filter on minimum total outstanding amount
max_outstanding - filter on maximum total outstanding amount
get_invoices - only fetch vouchers(ledger entries with +ve outstanding)
get_payments - only fetch payments(ledger entries with -ve outstanding)
"""
self.reset()
self.vouchers = vouchers
self.common_filter = common_filter or []
self.dimensions_filter = accounting_dimensions or []
self.voucher_posting_date = posting_date or []
self.min_outstanding = min_outstanding
self.max_outstanding = max_outstanding
self.get_payments = get_payments
self.get_invoices = get_invoices
self.query_for_outstanding()
return self.voucher_outstandings